[Cite as Tsiperson v. Ohio Dept. of Commerce, 2012-Ohio-1048.]
Court of Appeals of Ohio
EIGHTH APPELLATE DISTRICT
COUNTY OF CUYAHOGA
JOURNAL ENTRY AND OPINION
No. 96917
STANISLAV TSIPERSON
PLAINTIFF-APPELLEE
vs.
OHIO DEPARTMENT OF COMMERCE
DIVISION OF FINANCIAL INSTITUTIONS
DEFENDANT-APPELLANT
JUDGMENT:
REVERSED
Civil Appeal from the
Cuyahoga County Court of Common Pleas
Case No. CV-547253
BEFORE: Celebrezze, P.J., Jones, J., and Cooney, J.
RELEASED AND JOURNALIZED: March 15, 2012
ATTORNEYS FOR APPELLANT
Michael DeWine
Ohio Attorney General
BY: James Evans
Senior Assistant Attorney General
Executive Agencies Section
30 East Broad Street, 26th Floor
Columbus, Ohio 43215
ATTORNEY FOR APPELLEE
Jonathan N. Garver
4403 St. Clair Avenue
The Brownhoist Building
Cleveland, Ohio 44103
FRANK D. CELEBREZZE, JR., P.J.:
{¶1} Appellant, the Ohio Department of Commerce, Division of Financial
Institutions (the “Division”), seeks review of the common pleas court’s decision to
overturn the denial of Stanislav Tsiperson’s application for a loan officer’s license.
After a thorough review of the record and law, we reverse the lower court’s decision and
reinstate the Division’s denial of the license.
I. Procedural and Factual History
{¶2} On September 4, 2003, Tsiperson applied for a state mortgage loan officer’s
license with the Division. The application, completed by Tsiperson, failed to list a 1999
conviction for disorderly conduct in response to a question regarding any prior criminal
history. Tsiperson had checked the box for “No” regarding any past criminal history.
{¶3} After investigation, the Division found Tsiperson had a prior criminal
conviction for disorderly conduct, a fourth-degree misdemeanor. On October 31, 2003,
the Division sent notice to Tsiperson inquiring about his criminal history and requesting
further information. Even though Tsiperson attempted to explain that he had simply
forgotten about the conviction, the Division sent notice on January 23, 2004 that it was
denying his request for a license.
{¶4} Tsiperson requested an administrative hearing, which was conducted on
March 29, 2004. The hearing examiner found that the Division’s decision was proper
and affirmed the denial of a mortgage broker’s license. It found specifically that
Tsiperson had violated R.C. 1322.07(A), (B), and (C), by failing to disclose his
conviction and making false statements in the application. The hearing examiner’s
recommendation was confirmed by the Division on November 3, 2004.
{¶5} Tsiperson then appealed that decision to the common pleas court, pursuant to
his rights under R.C. 119.12. It is debated whether Tsiperson properly invoked the
jurisdiction of the common pleas court by failing to file an original notice of appeal with
the Division and a copy with the common pleas court, as the statute requires. The
Division timely filed the record, and Tsiperson supplemented his notice of appeal after
the time for filing such amendments had passed. The Division filed a motion to dismiss
based on Tsiperson’s alleged failure to properly file the notice of appeal. The common
pleas court denied the motion and proceeded to review the decision of the Division.
{¶6} The common pleas court made its decision after considering the briefs of both
parties and determined that the Division’s decision to deny Tsiperson a license was not
supported by competent, credible evidence. Specifically, the court found the ruling was
“unlawful, unreasonable, and against the manifest weight of the evidence.” The Division
then appealed assigning five errors.
II. Law and Analysis
A. Jurisdiction of the Common Pleas Court
{¶7} The Division argues in its first two assignments of error1 that Tsiperson did
not properly invoke the jurisdiction of the common pleas court to review the agency’s
decision.
{¶8} In order to properly appeal from the decision of an administrative agency
pursuant to former R.C. 119.12, a person was required to:
[F]ile a notice of appeal with the agency setting forth the order appealed
from and the grounds of the party’s appeal. A copy of the notice of appeal
shall also be filed by the appellant with the court. Unless otherwise
provided by law relating to a particular agency, notices of appeal shall be
filed within fifteen days after the mailing of the notice of the agency’s order
as provided in this section. For purposes of this paragraph, an order
includes a determination appealed pursuant to division (C) of section
119.092 of the Revised Code.
{¶9} The Ohio Supreme Court interpreted this language to require that an original
notice of appeal be filed with the agency and a copy be filed with the trial court. Hughes
v. Ohio Dept. of Commerce, 114 Ohio St.3d 47, 2007-Ohio-2877, 868 N.E.2d 246, at
paragraph two of the syllabus. It held that a party seeking review of an administrative
decision must strictly comply with R.C. 119.12. The Hughes court determined that an
These two assignments of error state:
1
I. “The lower court erred as a matter of law and abused its discretion in denying the
Division’s motion to dismiss for lack of subject matter jurisdiction as Tsiperson’s notice of appeal
failed to strictly comply with the 2004 R.C. 119.12 requirements as he filed a ‘copy’ of his notice of
appeal with the Division and the ‘original’ with the lower court[;]”
II. “The lower court erred as a matter of law and abused its discretion by accepting
jurisdiction over Tsiperson’s attempted amendment to his notice of appeal that he filed beyond the
R.C. 119.12 statutory fifteen day filing deadline.”
agency must strictly comply with R.C. 119.09, and so, an appellant must also strictly
comply with R.C. 119.12. As Justice Pfeifer pointed out in his concurring and
dissenting opinion, the agency’s duty to serve a certified copy of its decision on the other
party serves an important function, while an appellant’s duty to serve the original certified
decision on the agency and a copy with the court serves no function other than to trip up
the unwary. Id. at ¶ 22-23 (Pfeifer, J., concurring and dissenting.) The legislature
ultimately agreed and amended R.C. 119.12 in 2010 to eliminate this requirement.
{¶10} On its face then, it would appear under Hughes that the trial court did not
have jurisdiction over this case. But Hughes was not solely decided on the issue of
filing the original versus a copy of the notice of appeal, and we find that fact significant.
Specifically, in addition to the Division’s contention that the common pleas court did not
have jurisdiction over the director’s (Hughes) appeal, the Ohio Supreme Court considered
the director’s contention that she was not served with a certified copy of the Department’s
order. The court agreed with both parties’ contentions and stated:
Here, since the agency failed to properly serve Hughes with a certified copy
of the removal order, her appeal period never started to run. Once Hughes
is properly served, she may perfect an appeal by filing the original notice of
appeal with the agency and a copy of the notice with the court of common
pleas. Id.
{¶11} Thus, the director in Hughes was not foreclosed from her appellate rights.
We do not believe that Tsiperson should have been foreclosed from his appellate rights
either. Indeed, the Ohio Supreme Court has consistently indicated that the purpose of a
notice of appeal is to inform the opposing party of the taking of an appeal. See Maritime
Mfrs., Inc. v. Hi-Skipper Marina, 70 Ohio St.2d 257, 259, 436 N.E.2d 1034 (1982); Wells
v. Chrysler Corp., 15 Ohio St.3d 21, 24, 472 N.E.2d 331 (1984) (holding that the purpose
of a notice of appeal is to set forth the names of the parties and to advise those parties that
an appeal of a particular claim is forthcoming); Couk v. Ocean Acc. & Guar. Corp., 138
Ohio St. 110, 116, 33 N.E.2d 9 (1941), quoting Capital Loan & Sav. Co. v. Biery, 134
Ohio St. 333, 339, 16 N.E.2d 450 (1938) (“the purpose of the notice of appeal is ‘to
apprise the opposite party of the taking of an appeal.’ If this is done beyond danger of
reasonable misunderstanding, the purpose of the notice of appeal is accomplished.”).
Tsiperson’s filings complied with this purpose.
{¶12} The Division also argues that the court allowed modification of the notice of
appeal after the statutory period for filing the notice had elapsed. While R.C. Chapter
119 contains no provision for the amendment of a notice of appeal, R.C. 2505.03(B)
provides, in pertinent part:
Unless, in the case of an administrative-related appeal, Chapter 119. or
other sections of the Revised Code apply, such an appeal is governed by
this chapter and, to the extent this chapter does not contain a relevant
provision, the Rules of Appellate Procedure.
{¶13} R.C. Chapter 2505 contains two applicable provisions. R.C. 2505.04
provides that the only jurisdictional requirement necessary to perfect an appeal is the
timely filing of the notice. R.C. 2505.05 allows a notice of appeal to be modified at the
discretion of the court once the appeal has been timely perfected. These statutes provide
an adequate basis for the common pleas court to grant a motion to amend.
{¶14} Addressing similar arguments, this court has held:
“Under R.C. 2505.04 the only jurisdictional requirement is the filing of the
notice of appeal. R.C. 2505.05 then sets out what information must be
designated in this notice of appeal. These, however, are not jurisdictional
prerequisites and failure to comply with them does not defeat an appeal, as
the notice of appeal may be amended ‘for good cause shown’ (R.C.
2505.05).” Moore v. Cleveland Civ. Serv. Comm., 11 Ohio App.3d 273,
465 N.E.2d 482 (8th Dist.1983), quoting Woods v. Cleveland Civ. Serv.
Comm., 7 Ohio App.3d 304, 455 N.E.2d 709 (1983).
{¶15} Continuing, the court in Moore reaffirmed the proposition that procedures
should be liberally construed so that cases are determined on their merits, and notice is
sufficient if it substantially informs all parties of the appeal.
{¶16} The Division argues that Tsiperson’s original notice of appeal failed to state
the grounds on which the appeal was taken. R.C. 119.12 requires that such grounds be
stated in the notice. For instance, a notice of appeal that a surveyor filed, which stated
that he was “adversely affected” by the Board’s order and sanctions imposed, was
insufficient to invoke the jurisdiction of the reviewing court. Green v. State Bd. of Regis.
for Prof. Engrs. & Surveyors, 2d Dist. No. 05CA121, 2006-Ohio-1581, 2006 WL 827374.
The Second District held “[t]hat bare contention, coupled with only a reference to the
statutory authority under which the Board acted, is insufficient to satisfy the ‘grounds’
requirement of R.C. 119.12.” Id. at ¶ 14.
{¶17} Tsiperson’s amended notice of appeal was not received until December 17,
2004. The 15-day period for filing his notice of appeal ended on November 18, 2004.
The question becomes, did Tsiperson properly invoke the jurisdiction of the trial court
with his original notice of appeal so that the court could allow amendment of the notice.
This is because “‘compliance with the requirements as to the filing of the notice of appeal
— the time of filing, the place of filing, and the content of the notice as specified in the
statute — are all conditions precedent to jurisdiction.’” Williams v. Drabik, 115 Ohio
App.3d 295, 296, 685 N.E.2d 293 (10th Dist.1996), quoting Zier v. Bur. of Unemp.
Comp., 151 Ohio St. 123, 127, 84 N.E.2d 746 (1949).
{¶18} R.C. 119.12 requires a party to “file a notice of appeal with the agency
setting forth the order appealed from and stating that the agency’s order is not supported
by reliable, probative, and substantial evidence and is not in accordance with law.”
(Emphasis added.) The Tenth District has also stated that
R.C. 119.12 requires that the notice of appeal not only set forth the order
appealed from, but also set forth “the grounds of the party’s appeal.” The
requirement that the grounds of the appeal be identified puts the agency on
notice of the claim or claims against which it must defend. [Green at ¶ 13].
A notice of appeal that fails to set forth the grounds of the party’s appeal is
jurisdictionally defective. Zier, supra. Berus v. Ohio Dept. of Admin.
Servs., Franklin App. No. 04AP-1196, 2005-Ohio-3384, 2005 WL
1532400, at ¶12-13. CHS-Windsor, Inc. v. Ohio Dept. of Job & Family
Servs., 10th Dist. No. 05AP-909, 2006-Ohio-2446, 2006 WL 1351550, ¶ 9.
{¶19} The grounds listed in the original notice filed on November 9, 2004
included: (1) improper and prejudicial cross-examination related to Insan America, Inc.
(“Insan”) 2 ; (2) the findings related to Insan were unsupported by evidence; (3)
questioning about a juvenile DUI; (4) the findings of fact and conclusions of law were
against the manifest weight of the evidence; (5) the denial of application was an abuse of
A corporation whose articles of incorporation list appellant’s name and address as
2
incorporator.
discretion; and (6) other reasons that may be presented once the record is filed.
Tsiperson then amended the notice of appeal in December to replace Item 6 from the
above list with “[t]he denial of [Tsiperson’s] loan officers license application was not
based upon reliable, probative, and substantial evidence and is contrary to law.”
{¶20} In Zier, 151 Ohio St. 123, 84 N.E.2d 746, the Ohio Supreme Court
recognized that the section of the General Code authorizing an appeal to the common
pleas court required the appellant’s notice of appeal to “set forth the errors” in the order
appealed from. No specific language was required at the time, so long as the agency was
apprised of the alleged errors in law or fact that were the grounds for the appeal. See
Green, 2d Dist No. 05CA121, 2006-Ohio-1581. “To state or set forth grounds means to
recite some basis in law or fact for a claim.” Id. at ¶ 13.
{¶21} Here, Tsiperson’s notice of appeal sets forth the grounds for the appeal and
gives the Division notice of the errors he is alleging. Both of the Division’s
jurisdictional arguments fail. The first two assignments of error are overruled.
B. The Trial Court’s Reversal of the Division’s Decision
{¶22} The Division’s third, fourth, and fifth assignments of error3 all take issue
with the common pleas court’s decision.
When the trial court reviews an order of an administrative agency, the court
must consider the entire record to determine whether the order is supported
by reliable, probative and substantial evidence and is in accordance with
law. Yaghmaee v. Ohio State Chiropractic Board, Franklin App. No.
04-AP-302, 2004-Ohio-302, citing Lies v. Veterinary Med. Bd. (1981), 2
Ohio App.3d 204, 207. The appellate court’s review is more limited; this
court determines only if the trial court has abused its discretion. Pons v.
Ohio State Medical Bd., 66 Ohio St.3d 619, 1993-Ohio-122. Bellante v.
Ohio Dept. of Commerce Dept. of Fin. Insts., 8th Dist. No. 86712,
2006-Ohio-2472, 2006 WL 1360807, ¶24.
{¶23} The standard of review that a common pleas court applies in an appeal under
R.C. 119.12 is set forth in that section:
The court may affirm the order of the agency complained of in the appeal if
it finds, upon consideration of the entire record and such additional
evidence as the court has admitted, that the order is supported by reliable,
probative, and substantial evidence and is in accordance with law. In the
absence of such a finding, it may reverse, vacate, or modify the order or
make such other ruling as is supported by reliable, probative, and
substantial evidence and is in accordance with law.
These assignments of error state:
3
III. “The lower court erred as a matter of law and abused its discretion in reversing the
Division’s final adjudication order denying Tsiperson’s loan officer’s license application and in ruling
that the Division’s order was ‘unlawful, unreasonable, and against the manifest weight of the
evidence’[;]
IV. “The lower court erred as a matter of law and abused its discretion by substituting its
judgment for that of the Division’s[;]
V. “The lower court applied an improper standard of review in reversing the Division’s final
adjudication order denying Tsiperson’s loan officer license application.”
{¶24} Here, Tsiperson was found to have committed violations of R.C.
1322.07(A), (B), and (C), which state:
No registrant * * * shall do any of the following: (A) Obtain a mortgage
broker certificate of registration or loan originator license through any false
or fraudulent representation of a material fact or any omission of a material
fact required by state law, or make any substantial misrepresentation in any
registration or license application; (B) Make false or misleading statements
of a material fact, omissions of statements required by state or federal law,
or false promises regarding a material fact, through advertising or other
means, or engage in a continued course of misrepresentations; (C) Engage
in conduct that constitutes improper, fraudulent, or dishonest dealings * * *.
{¶25} In Bellante, this court held:
The record reflects the agency’s decision to deny Bellante’s application was
supported by the evidence. Bellante admitted he answered “No” to the
Loan Application’s Question 5. He further admitted that, despite this
answer, he had been convicted in 1998 in the Lyndhurst Municipal Court of
three separate misdemeanor offenses. His answer, therefore, was false.
Id. at ¶25.
{¶26} No evidence of intentional deceit or fraud is necessary given the clear
instructions accompanying the questions and the duty to answer the questions fully and
truthfully. This view is shared by the Tenth District, evident from its holding in
Hockenberry v. Ohio Dept. of Commerce, 173 Ohio App.3d 331, 2007-Ohio-5555, 878
N.E.2d 662, ¶11 (10th Dist.). There, it stated:
Appellant argues that the trial court applied the wrong portions of R.C.
1322.07(A) and (B) in holding that these provisions require a finding of
intentional dishonesty. [The Division] points out that the applicable
portion of R.C. 1322.07(A) requires only a “substantial misrepresentation in
any registration or license application” — not an intentionally false or
fraudulent misrepresentation. Likewise, [the Division] notes that R.C.
1322.07(B) also prohibits “omissions of statements required by state law,” a
prohibition that would include the failure to disclose a conviction as
required by state law.
{¶27} Tsiperson failed to answer Question 5 truthfully when he failed to include
his disorderly conduct conviction on his application. While the disorderly conduct
conviction probably would not prevent him from obtaining a license, as the Division
hearing officer acknowledged, Tsiperson’s failure to disclose constitutes a dishonest act
that does create an issue about his character and ability to serve in a position of trust.
{¶28} Tsiperson admitted that he took only five minutes to fill out this important
document. The prior conviction was not something that occurred decades earlier. His
disorderly conduct conviction occurred in 1999, and he applied for his mortgage license
in 2003. The Division was reasonable in finding that this four- to five-year-old
conviction should have been disclosed if Tsiperson honestly and thoroughly completed
his application. The failure to do so constituted a violation of R.C. 1322.07(A), (B), and
(C). That is sufficient evidence to support a decision to deny Tsiperson a license.
{¶29} Tsiperson argues that the trial court properly found the Division’s judgment
was not supported by competent, credible evidence because the Division’s attorney
introduced non-probative matters by way of ambush. However, when determining an
applicant’s character and fitness, the Division is required by regulation to consider
whether the applicant:
(A) Has been found guilty in any court of competent jurisdiction of any
felony; (B) Has been found guilty in any court of competent jurisdiction of
any misdemeanor involving any theft offense, deception, moral turpitude, or
any offense listed in division (A)(8) of section 1322.03 and division (A)(2)
of section 1322.031 of the Revised Code; * * * (I) Has a record or pattern
of disregard of the laws of this state, another state, or the United States * *
* . Ohio Admin. Code 1301:8-7-21.
{¶30} Here, the inquiry into Tsiperson’s juvenile record could reasonably be used
to rebut his testimony during direct examination. Evid.R. 405(A). During direct
examination, Tsiperson read from his letter written to the Division, in which he stated that
he had “only limited experience with the courts.” Tsiperson’s assertion that he did not
disclose his misdemeanor conviction because of his inexperience with the courts opened
the door for the Division to show that this conviction was not the first time Tsiperson had
encountered the justice system. See State v. Robinson, 98 Ohio App.3d 560, 649 N.E.2d
18 (8th Dist.1994). Also, the Division did not raise the issue of a juvenile adjudication.
A question was put to Tsiperson specifically about convictions since his 1998
misdemeanor conviction, and Tsiperson volunteered the information about a juvenile
DUI adjudication from that year.
{¶31} Finally, the Division hearing officer did not rely on appellant’s juvenile
adjudication in making a decision. The hearing officer stated that appellant had “a single
conviction approximately five years before the hearing * * *” and did not reference the
juvenile adjudication as a reason for the decision to deny Tsiperson’s application.
{¶32} Inquiry into the business dealings of Insan, a corporation chartered by a
person with Tsiperson’s name and address, is also a valid line of inquiry. Tsiperson
would have precluded the Division from asking about this, but, on the face of the
documents, it appeared Tsiperson was involved in this business, and the business did not
file tax returns in years during which it was conducting business. The Division could
validly inquire into the nature of the business, according to Ohio Admin. Code
1301:8-7-21(G), which includes as a factor having engaged
in any conduct which would reflect on the reputation for honesty, integrity
or competence in business and personal dealings of the applicant, registrant
or licensee, including but not limited to the failure to provide complete and
accurate information concerning the applicant’s, registrant’s or licensee’s
past[.]
{¶33} Tsiperson argues the Division did not produce a handwriting expert or other
evidence that he signed as an incorporator and statutory agent of Insan. Tsiperson
further argues that a comparison of the signature on these documents with his own
obviously indicates a different person signed them. However, the signature on his 2000
tax return and the 1999 document filed with the Secretary of State is not so obviously
different, even though Tsiperson’s signature on the other documents in this case dating
from 2003 onward do appear to be obviously different.
{¶34} These are areas of valid consideration as they can be considered in
determining whether the “[t]he applicant’s financial responsibility, character, and general
fitness command the confidence of the public and warrant the belief that the business will
be operated honestly and fairly* * *.” R.C. 1322.041(A)(6).
{¶35} The hearing officer ultimately found that “failure to disclose a conviction on
the Application is, in the eyes of the Division, a violation of Section 1322.07(A), (B), and
(C).” That decision is supported by substantial, reliable evidence in the record. The
hearing officer went on to find the fact that Tsiperson’s name and address appear on the
articles of incorporation as a statutory agent and incorporator was of concern. In the face
of conflicting evidence and testimony, the hearing officer was free to believe or
disbelieve Tsiperson’s explanation as to why this information was not disclosed. That is
a credibility determination best left to the hearing officer, not the common pleas court on
appeal. Further, the hearing officer only referenced this matter in its decision, finding
the situation to be of concern.
{¶36} The hearing officer’s main reason for denying the application was
Tsiperson’s failure to disclose a prior criminal conviction. That decision is supported by
reliable, substantial evidence, and the common pleas court erred in reversing a properly
supported decision.
III. CONCLUSION
{¶37} Tsiperson appears to be an honest and hard-working individual attempting
to better himself. However, the Division produced evidence of his failure to disclose his
1999 conviction, and that is sufficient reliable, substantial evidence to support its decision
to deny him a license. The decision of the lower court must be reversed.
{¶38} This cause is reversed, and judgment is entered for the Division consistent
with this opinion.
It is ordered that appellant recover of said appellee costs herein taxed.
The court finds there were reasonable grounds for this appeal.
It is ordered that a special mandate issue out of this court directing the common
pleas court to carry this judgment into execution.
A certified copy of this entry shall constitute the mandate pursuant to Rule 27 of
the Rules of Appellate Procedure.
FRANK D. CELEBREZZE, JR., PRESIDING JUDGE
COLLEEN CONWAY COONEY, J., CONCURS;
LARRY A. JONES, SR., J., DISSENTS (with separate opinion)
LARRY A. JONES, SR., J., DISSENTING:
{¶39} I concur with the majority’s resolution of the first and second assignments
of error, but I respectfully dissent from the majority’s decision on the remaining
assignments of error, and would affirm the trial court’s decision in toto.
{¶40} As the majority opinion correctly states, appellate review of an
administrative agency’s order is more limited than a trial court’s review. Lorain City Bd.
of Edn. v. State Emp. Relations Bd., 40 Ohio St.3d 257, 260-261, 533 N.E.2d 264 (1988).
It is incumbent on a trial court to examine the evidence. Pons v. Ohio State Med. Bd.,
66 Ohio St.3d 619, 621, 1993-Ohio-122, 614 N.E.2d 748. Such is not the charge of an
appellate court. Id. Instead, an appellate court must determine whether the trial court
has abused its discretion. Id. Absent an abuse of discretion on the part of the trial
court, a court of appeals must affirm the trial court’s judgment. Id.
{¶41} The trial court characterized Tsiperson’s failure to disclose his disorderly
conviction as “reasonably explained,” noting that it was a misdemeanor offense that
occurred when Tsiperson was a “young adult.” The trial court found that the hearing
officer “inappropriately allowed inadmissible and non-probative evidence to elevate
[Tsiperson’s] failure to report an otherwise minor youthful transgression of law into
something that has a disproportionately improper effect.”
{¶42} Specifically, the trial court found that the hearing officer inappropriately
relied on two other non-disclosures by Tsiperson: (1) a DUI adjudication when Tsiperson
was 17 years old and (2) articles of incorporation bearing Tsiperson’s name.
{¶43} In regard to the DUI adjudication, the trial court found that it should have
been given “no weight.” Specifically, the court found that the adjudication did not
constitute a “reportable ‘criminal conviction.’” The majority finds that the “hearing
officer did not rely on [Tsiperson’s] juvenile adjudication in making its decision.” I am
not persuaded. The hearing officer, in his “discussion” section of his findings of fact
and conclusions of law, stated that Tsiperson “also acknowledges that he had a conviction
for driving under the influence in 1998.” The hearing officer did not mention the
juvenile adjudication in the concluding paragraph of his discussion section. Thus, it may
appear at first blush that the hearing officer did not give any weight to the adjudication.
But a review of the transcript suggests otherwise. Specifically, Tsiperson’s counsel
twice objected to the line of questioning — first on the grounds that the application
excluded traffic matters and second because it was a juvenile offense. The hearing
officer overruled the objections, stating “I think the credibility of [Tsiperson] is at issue
here and if [opposing counsel] wants to inquire about other matters, I am going to give
him some latitude to do that within reasonable boundaries.”
{¶44} In In re Agler, 19 Ohio St. 70, 249 N.E.2d 808 (1969), the Ohio Supreme
Court addressed the issue of whether a juvenile case results in an adjudication or
conviction and concluded that the result was adjudication. The Court reasoned as
follows:
The Juvenile Court stands as a monument to the enlightened conviction that
wayward boys may become good men and that society should make every
effort to avoid their being attainted as criminal before growing to the full
measure of adult responsibility. Its existence, together with the
substantive provisions of the Juvenile Code, reflects the considered opinion
of society that childish pranks and other youthful indiscretions, as well as
graver offenses, should seldom warrant adult sanctions and that the decided
emphasis should be upon individual, corrective treatment. Id. at 71.
{¶45} The Court further stated that “a child is not a criminal by reason of any
Juvenile Court adjudication, and civil disabilities ordinarily following conviction do not
attach.” Id. at 73.
{¶46} In light of the above, the hearing officer should not have allowed testimony
about the juvenile offense, and the trial court did not abuse its discretion by finding that
the hearing officer should have given “no weight” to Tsiperson’s juvenile adjudication.
{¶47} In regard to the articles of incorporation, the record demonstrates that on
cross-examination, Tsiperson was shown a copy of articles of incorporation bearing his
name filed in November 2000 with the Ohio Secretary of State. The articles were filed
as part of the process of forming a new corporation named Insan American Inc. The
address listed on the articles was Tsiperson’s address. Tsiperson denied signing the
articles or being involved with the corporation in any capacity. He testified that he
believed his father, who was residing with him at the time and whom he was supporting,
used his name.
{¶48} In his concluding paragraph of his discussion section, the hearing officer
stated the following:
[t]he Hearing Officer is concerned that [Tsiperson’s] name appears on the
Articles of Organization filed with the Ohio Secretary of State that
[Tsiperson] denies having signed. [Tsiperson] likewise denies that the
individual whose name also appears on the Articles of Incorporation is a
business partner. Yet, those Articles reflect an address that was
[Tsiperson’s] address.
{¶49} The trial court found the hearing officer’s reliance on that evidence
“troubling.” The court noted that, although the inquiry into the issue “may have been
relevant for purposes of establishing businesses or enterprises with which [Tsiperson]
may have been associated,” Tsiperson “vigorously denied he had anything to do with the
preparation and/or filing of the Articles of Incorporation or the business in question.”
The trial court noted that Tsiperson “offered a reasonable explanation and a defensible
position,” that being, that his father, who lived with him and was attempting to start an
import-export business, may have used his name without his permission. The trial court
further noted that the Division did not offer any evidence to the contrary in rebuttal. On
this record, the trial court found that the evidence lacked any probative value and should
not have been given any weight whatsoever.
{¶50} To a limited extent, a trial court is permitted to substitute its judgment for
that of an administrative agency. Univ. of Cincinnati v. Conrad, 63 Ohio St.2d 108, 111,
407 N.E.2d 1265 (1980). I would find that the trial court did not abuse its discretion by
substituting its judgment in regard to the articles of incorporation for that of the Division.
The articles were filed with the secretary of state in 2000; the first time they were
presented in this case, without notice to Tsiperson and his counsel, was at the March 2004
hearing. The Division’s decision to deny Tsiperson’s application was based on two
specific findings that Tsiperson: (1) swore under oath that he had never been convicted of
any criminal offense, when in fact, he had; and (2) therefore; had provided untruthful
information regarding his criminal history. The articles of incorporation were not a
factor in the Division’s denial of Tsiperson’s application and, therefore, the trial court’s
determination that it should not have been afforded any weight was not an abuse of
discretion.
{¶51} In my opinion, what was left then, as the trial court stated, was solely the
disorderly conduct conviction. The Division and majority rely on this court’s decision in
Bellante v. Ohio Dept. of Commerce, Dept. of Fin. Insts., 8th Dist. No. 86712,
2006-Ohio-2472, 2006 WL 1360807, in support of reversing the trial court’s judgment.
I believe this case is distinguishable from Bellante.
{¶52} In Bellante, the applicant applied for a loan officer’s license, but failed to
report that he had three prior misdemeanor convictions. The Division denied his
application because of the misreporting. At the hearing before the Division, the
applicant testified that he did not report the convictions because he believed that they had
been expunged. The hearing officer recommended the denial of the application and the
Division followed the recommendation. The applicant appealed to the common pleas
court and the court reversed the Division’s decision.
{¶53} This court reversed the trial court, finding that the evidence demonstrated
that the applicant’s omission was not merely negligent. This court cited the clear
instructions on the application and the testimony of the applicant that he had looked into
the law regarding expungement and learned that he was “allowed one.” This court
found that, “[s]ince he had three convictions that related to two separate incidents, he
thereby implicitly acknowledged his answer to Question 5 consciously was dishonest.”
Id. at ¶ 27.
{¶54} Here, Tsiperson only had one prior conviction upon which his application
was denied. I believe that there was evidence to support his contention that his omission
was negligent and, therefore, that the trial court did not abuse its discretion in reversing
the Division’s decision.
{¶55} In sum, to concur with the majority that the trial court abused its discretion, I
would have to find that the trial court’s decision was “so palpably and grossly violative of
fact or logic that it evidences not the exercise of will but the perversity of will, not the
exercise of judgment but the defiance of judgment, not the exercise of reason but instead
passion or bias.” Nakoff v. Fairview Gen. Hosp., 75 Ohio St.3d 254, 256, 662 N.E.2d 1
(1996). I do not find that and, therefore, I dissent as to the majority’s decision
reversing the trial court’s judgment.